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Re: Underwriting Agreement dated May 4, 2009 Series Designation: CHASEseries

Underwriting Agreement

Re:
  
Underwriting Agreement dated May 4, 2009
Series Designation: CHASEseries | Document Parties: CHASE BANK USA, NATIONAL ASSOCIATION You are currently viewing:
This Underwriting Agreement involves

CHASE BANK USA, NATIONAL ASSOCIATION

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Title: Re: Underwriting Agreement dated May 4, 2009 Series Designation: CHASEseries
Date: 5/12/2009

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Exhibit 1.1

CHASE ISSUANCE TRUST

CHASESERIES

CLASS A(2009-2) NOTES

TERMS AGREEMENT

Dated: May 4, 2009

 

To:

  

CHASE BANK USA, NATIONAL ASSOCIATION (the “ Bank ”)

Re:

  

Underwriting Agreement dated May 4, 2009

Series Designation: CHASEseries

Underwriters :

The Underwriters named on Schedule I attached hereto are the “ Underwriters ” for the purpose of this Terms Agreement (this “ Agreement ”) and for the purposes of the above referenced Underwriting Agreement as such Underwriting Agreement is incorporated herein in its entirety and made a part hereof.

Terms of the Class A(2009-2) Notes :

 

Initial

Principal

Amount

 

Interest

Rate or Formula

 

Price to

Public

$5,000,000,000

 

One-month LIBOR plus 1.55% per annum

 

100.0000%

Interest Payment Dates : The 15 th of each month or if that day is not a Business Day, as defined in the Indenture, the next succeeding Business Day, commencing June 15, 2009.

Note Ratings : “AAA” by Standard & Poor’s Rating Services and Fitch, Inc. and “Aaa” by Moody’s Investors Service, Inc.

Indenture : The Third Amended and Restated Indenture, dated as of December 19, 2007, between Chase Issuance Trust, as Issuing Entity, and Wells Fargo Bank, National Association, as Indenture Trustee, and acknowledged and accepted by the Bank, as Servicer.

Asset Pool One Supplement : The Second Amended and Restated Asset Pool One Supplement, dated as of December 19, 2007, between Chase Issuance Trust, as Issuing Entity, and Wells Fargo Bank, National Association, as Indenture Trustee and Collateral Agent, and acknowledged and accepted by the Bank, as Transferor, Servicer and Administrator.


Indenture Supplement : The Amended and Restated CHASEseries Indenture Supplement, dated as of October 15, 2004, between Chase Issuance Trust, as Issuing Entity, and Wells Fargo Bank, National Association, as Indenture Trustee and Collateral Agent.

Terms Document : The Class A(2009-2) Terms Document, dated as of May 12, 2009, between Chase Issuance Trust, as Issuing Entity, and Wells Fargo Bank, National Association, as Indenture Trustee and Collateral Agent.

Transfer and Servicing Agreement : The Third Amended and Restated Transfer and Servicing Agreement, dated as of December 19, 2007, among the Bank, as Transferor, Servicer and Administrator, Chase Issuance Trust, as Issuing Entity, and Wells Fargo Bank, National Association, as Indenture Trustee and Collateral Agent.

First USA Pooling and Servicing Agreement : The Third Amended and Restated Pooling and Servicing Agreement, dated as of December 19, 2007, between the Bank, as Transferor and Servicer, and BNY Mellon Trust of Delaware, as trustee (the “ FUSA Master Trust Trustee ”).

First USA Series Supplement : The Amended and Restated Series 2002-CC Supplement, dated as of October 15, 2004, between the Bank, as Transferor and Servicer, and the FUSA Master Trust Trustee.

Chase Pooling and Servicing Agreement : The Fifth Amended and Restated Pooling and Servicing Agreement, dated as of December 19, 2007, between the Bank, as Transferor and Servicer and The Bank of New York Mellon, as Trustee for the Chase Credit Card Master Trust (the “ Chase Master Trust Trustee ”) and paying agent.

Chase Series Supplement : The Series 2004-CC Supplement, dated as of October 20, 2004, between the Bank, as Transferor and Servicer, and the Chase Master Trust Trustee.

Purchase Price :

The purchase price payable by the Underwriters for the Notes covered by this Agreement will be the following percentage of the principal amounts to be issued:

Per Class A(2009-2) Notes: 99.7250%

Registration Statement : 333-145109.

Underwriting Discounts and Commissions, Selling Concessions and Reallowance :

The Underwriters’ discounts and commissions, the selling concessions that the Underwriters may allow to certain dealers, and the discounts that such dealers may reallow to certain other dealers, each expressed as a percentage of the principal amount of the Class A(2009-2) Notes, shall be as follows:


Underwriting

Discounts and

Commissions

 

Selling

Concessions

 

Reallowance

0.2750 %

 

0.1650%

 

0.0825%

Underwriter’s Information : The information furnished by the Underwriters through the Representative for purposes of subsection 8(b) of the Underwriting Agreement consists of the chart and the third and seventh paragraphs under the heading “ Underwriting ” in the Prospectus Supplement.

Most Recent Quarterly Filing Date : May 4, 2009.

Closing Date : Pursuant to Rule 15c6-1(d) under the Securities Exchange Act of 1934, as amended, the Underwriters, the Bank and the Issuing Entity hereby agree that the Closing Date shall be May 12, 2009 10:30 a.m., New York Time.

Applicable Time : 5:35 p.m. (New York Time) on May 4, 2009

Location of Closing : Skadden, Arps, Slate, Meagher & Flom LLP, Four Times Square, New York, New York 10036.

“Eligible Collateral” under TALF :

(1) Primary Dealers. Each of the Underwriters is a financial institution appearing on the Federal Reserve Bank of New York’s list of Primary Government Securities Dealers Reporting to the Government Securities Dealers Statistics Unit of the Federa


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